FİNANSAL KRİZ TEORİLERİ VE TÜRKİYE EKONOMİSİNDE 1990 SONRASI FİNANSAL KRİZLER

Finansal krizler genelde dünya ekonomisinde, özelde ise gelişmekte olan ülkelerde 1990 sonrasında en önemli iktisadi sorunların başında gelmektedir. Türkiye ekonomisi de iktisadi kalkınma sürecinde finansman açığı, yapısal sorunlar ve sağlıksız iç-dış finansman koşulları altında, sürekli finansal krizlere açık haldedir. Bu bağlamda çalışmanın temel amacı, finansal kriz teorilerini, dünya ekonomisi ve Türkiye ekonomisinde 1990 sonrası ortaya  çıkan  finansal  krizlerin temel sebep ve sonuçları bağlamında incelemek, Türkiye ekonomisinde finansal krizleri Probit model yardımıyla modellemek, finansal krizlerin öngörülmesi ve önlenmesine yönelik politika önerileri geliştirmektir.

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